bond

REPUBLIQUE DE COTE DIVOIRE 5.125% 2025

Pricing

Price

Yield To Maturity

Duration

Last Trade Date

Identifiers

ISIN

XS1631415079

Figi

BBG00GX2HCP1

Ticker

IVYCST 5.125 06/15/25 144A

Features

Currency

EUR

Coupon

5.125

Maturity Date

2025-06-15

Interest Type

Fixed Rate

Maturity Type

Fixed

Callable

False

Puttable

False

Min Increment

1,000

Issued Amount

170,496,000

Rank

Government / State

Registration Type

Registered

Issuer info

Issuer

REPUBLIQUE DE COTE DIVOIRE

LEI

254900ICW11T82O6H590

Country

Côte D'Ivoire

Issuer Type

Government

Sector

Public

Industry group

Public

Ratings

Issue rating

Ba2/-/-

Issuer rating

-/BB-/BB-

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Trade data is collected from publicly available MiFID II post-trade reports from European venues. Prices and volumes are updated daily.

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Other bonds from same issuer

Showing 1 - 26 of 26 results.

ISIN

Ticker

Currency

Coupon

Maturity Date

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XS2752065040 IVYCST 7.625 01/30/33 REGS USD 7.625 2033-01-30
XS2752065479 IVYCST 8.25 01/30/37 REGS USD 8.25 2037-01-30
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XS1796266754 IVYCST 6.625 03/22/48 REGS EUR 6.625 2048-03-22
US221625AT38 IVYCST 7.625 01/30/33 144A USD 7.625 2033-01-30
XS2064786911 IVYCST 6.875 10/17/40 REGS EUR 6.875 2040-10-17
US221625AU01 IVYCST 8.25 01/30/37 144A USD 8.25 2037-01-30
XS2064786754 IVYCST 5.875 10/17/31 REGS EUR 5.875 2031-10-17
XS1631415400 IVYCST 6.125 06/15/33 REGS USD 6.125 2033-06-15
XS1196517434 IVYCST 6.375 03/03/28 REGS USD 6.375 2028-03-03
XS0496488395 IVYCST 5.75 12/31/32 REGs USD 5.75 2032-12-31
XS2264968665 IVYCST 4.875 01/30/32 144A EUR 4.875 2032-01-30
XS1631414932 IVYCST 5.125 06/15/25 REGS EUR 5.125 2025-06-15
XS1089413089 IVYCST 5.375 07/23/24 REGS USD 5.375 2024-07-23
XS1796266838 IVYCST 6.625 03/22/48 144A EUR 6.625 2048-03-22
XS2064786838 IVYCST 5.875 10/17/31 144A EUR 5.875 2031-10-17
US221625AL02 IVYCST 5.375 07/23/24 144A USD 5.375 2024-07-23
XS1793329498 IVYCST 5.25 03/22/30 144A EUR 5.25 2030-03-22
US221625AM84 IVYCST 6.375 03/03/28 144A USD 6.375 2028-03-03
XS1632632037 IVYCST 6.125 06/15/33 144A USD 6.125 2033-06-15
XS2064787489 IVYCST 6.875 10/17/40 144A EUR 6.875 2040-10-17
XS0075803980 IVYCST 4 03/31/28 30YR USD 2028-03-31
XS0075819127 IVYCST 4 03/31/28 FRF EUR 2028-03-31
XS0496608984 IVYCST 5.75 12/31/32 144A USD 5.75 2032-12-31
XS1631415079 IVYCST 5.125 06/15/25 144A EUR 5.125 2025-06-15

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